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Institute
Confidentiality, integrity, and availability are often listed as the three major requirements for achieving data security and are collectively referred to as the C-I-A triad. Confidentiality of data restricts the data access to authorized parties only, integrity means that the data can only be modified by authorized parties, and availability states that the data must always be accessible when requested. Although these requirements are relevant for any computer system, they are especially important in open and distributed networks. Such networks are able to store large amounts of data without having a single entity in control of ensuring the data's security. The Semantic Web applies to these characteristics as well as it aims at creating a global and decentralized network of machine-readable data. Ensuring the confidentiality, integrity, and availability of this data is therefore also important and must be achieved by corresponding security mechanisms. However, the current reference architecture of the Semantic Web does not define any particular security mechanism yet which implements these requirements. Instead, it only contains a rather abstract representation of security.
This thesis fills this gap by introducing three different security mechanisms for each of the identified security requirements confidentiality, integrity, and availability of Semantic Web data. The mechanisms are not restricted to the very basics of implementing each of the requirements and provide additional features as well. Confidentiality is usually achieved with data encryption. This thesis not only provides an approach for encrypting Semantic Web data, it also allows to search in the resulting ciphertext data without decrypting it first. Integrity of data is typically implemented with digital signatures. Instead of defining a single signature algorithm, this thesis defines a formal framework for signing arbitrary Semantic Web graphs which can be configured with various algorithms to achieve different features. Availability is generally supported by redundant data storage. This thesis expands the classical definition of availability to compliant availability which means that data must only be available as long as the access request complies with a set of predefined policies. This requirement is implemented with a modular and extensible policy language for regulating information flow control. This thesis presents each of these three security mechanisms in detail, evaluates them against a set of requirements, and compares them with the state of the art and related work.
This study had two main aims. The first one was to investigate the quality of lesson plans. Two important features of lesson plans were used as a basis to determine the quality of lesson plans. These are adaptability to preconditions and cognitive activation of students. The former refers to how the planning teacher considers the diversity of students pre-existing knowledge and skills. The latter refers to how the planning teacher sequences deep learning tasks and laboratory activities to promote the cognitive activation of students.
The second aim of the study was to explore teachers thinking about and explanation of externally generated feedback data on their students’ performance. The emphasis here was to understand how the teachers anticipate planning differentiated lessons to accommodate the variations in students learning outcomes revealed by the feedback data.
The study followed a qualitative approach with multiple sources of data. Concept maps, questionnaires, an online lesson planning tool, standardized tests, and semi-structured interviews were the main data collection instruments used in the study. Participants of this study were four physics teachers teaching different grade levels. For the purpose of generating feedback for the participant teachers, a test was administered to 215 students. Teachers were asked to plan five lessons for their ongoing practices. The analysis showed that the planned lessons were not adapted to the diversity in students pre-existing knowledge and skills. The analysis also indicated that the lessons planned had limitations with regard to cognitive activation of students. The analysis of the interview data also revealed that the participant teachers do not normally consider differentiating lessons to accommodate the differences in students learning, and place less emphasis on the cognitive activation of students. The analysis of the planned lessons showed a variation in teachers approach in integrating laboratory activities in the sequence of the lessons ranging from a complete absence through a demonstrative to an investigative approach. Moreover, the findings from the interviews indicated differences between the participant teachers espoused theory (i.e. what they said during interview) and their theory- in –use (i.e. what is evident from the planned lessons). The analysis of the interview data demonstrated that teachers did not interpret the data, identify learning needs, draw meaningful information from the data for adapting (or differentiating) instruction. They attributed their students’ poor performance to task difficulty, students’ ability, students’ motivation and interest. The teachers attempted to use the item level and subscale data only to compare the relative position of their class with the reference group. However, they did not read beyond the data, like identifying students learning needs and planning for differentiated instruction based on individual student’s performance.
The establishment of aquatic alien species can strongly affect community and food web structure of the invaded systems and thus represents a major threat to native biodiversity. One of the most important aquatic invasive species in European rivers is the Ponto-Caspian amphipod Dikerogammarus villosus. The species invaded most of the major European waterways within two decades, often associated with a decline of many other macroinvertebrate species, including other amphipods. Based on laboratory results predation by the so called ‘killer shrimp’ is often regarded as the key driver for observed displacement effects, but recent studies indicated a minor relevance of predation by D. villosus in the field. To allow the determination of exact predator-prey interactions from field samples, I established 22 group-specific rDNA primers for freshwater taxa suitable for prey species identification in dietary samples (Chapter II) and an approach for the screening of D. villosus gut contents using 16 of these primers. Combining genetic gut content analyses, with one of these primers, and stable isotope analyses, I examined the importance of intraguild predation (IGP) by D. villosus, which is often assumed the key driver for the displacement of native amphipod species, at an invasion front of the species in Switzerland (Chapter III). The results of this study revealed a low importance of IGP during this particular D. villosus invasion and indicated an overall sparsely predacious feeding behaviour of the species. As the feeding behaviour of D. villosus is supposed to differ between habitats and this study was only conducted at a few sampling sites of one river, I also investigated the role of predation by D. villosus at multiple sites of the River Rhine system, covering a broad range of microhabitats (Chapter IV). In keeping with the results from the invasion front results of this study strongly indicated a sparsely predacious feeding but rather a flexible feeding behaviour of D. villosus even within the same microhabitat.
However, established populations of D. villosus have changed aquatic food webs and can be expected to affect aquatic-terrestrial energy fluxes. In Chapter V of my thesis, I present a field study investigating the impact of D. villosus on the diet of two riparian spider taxa. The results of this study indicate an effect of D. villosus on the terrestrial food web via cross-ecosystem resource flow.
In conclusion, D. villosus influences terrestrial food webs by altering cross-ecosystem resource fluxes, but it is rather an opportunistic omnivore than a predator in the field.
The provision of electronic participation services (e-participation) is a complex socio-technical undertaking that needs comprehensive design and implementation strategies. E-participation service providers, in the most cases administrations and governments, struggle with changing requirements that demand more transparency, better connectivity and increased collaboration among different actors. At the same time, less staff are available. As a result, recent research assesses only a minority of e-participation services as successful. The challenge is that the e-participation domain lacks comprehensive approaches to design and implement (e-)participation services. Enterprise Architecture (EA) frameworks have evolved in information systems research as an approach to guide the development of complex socio-technical systems. This approach can guide the design and implementation services, if the collection of organisations with the commonly held goal to provide participation services is understood as an E Participation Enterprise (EE). However, research & practice in the e participation domain has not yet exploited EA frameworks. Consequently, the problem scope that motivates this dissertation is the existing gap in research to deploy EA frameworks in e participation design and implementation. The research question that drives this research is: What methodical and technical guides do architecture frameworks provide that can be used to design and implement better and successful e participation?
This dissertation presents a literature study showing that existing approaches have not covered yet the challenges of comprehensive e participation design and implementation. Accordingly, the research moves on to investigate established EA frameworks such as the Zachman Framework, TOGAF, the DoDAF, the FEA, the ARIS, and the ArchiMate for their use. While the application of these frameworks in e participation design and implementation is possible, an integrated approach is lacking so far. The synthesis of literature review and practical insights in design and implementation of e participation services from four projects show the challenges of adapting architecture frameworks for this domain. However, the research shows also the potential of a combination of the different approaches. Consequently, the research moves on to develop the E-Participation Architecture Framework (EPART-Framework). Therefore, the dissertation applies design science research including literature review and action research. Two independent settings test an initial EPART-Framework version. The results yield into the EPART-Framework presented in this dissertation.
The EPART-Framework comprises of the EPART-Metamodel with six EPART-Viewpoints, which frame the stakeholder concerns: the Participation Scope, the Participant Viewpoint, the Participation Viewpoint, the Data & Information Viewpoint, the E-participation Viewpoint, and Implementation & Governance Viewpoint. The EPART-Method supports the stakeholders to design the EE and implement e participation and stores its output in an architecture description and a solution repository. It consists of five consecutive phases accompanied by requirements management: Initiation, Design, Implementation and Preparation, Participation, and Evaluation. The EPART-Framework fills the gap between the e participation domain and the enterprise architecture framework domain. The evaluation gives reasonable evidence that the framework is a valuable addition in academia and in practice to improve e-participation design and implementation. The same time, it shows opportunities for future research to extend and advance the framework.
The largest population of the anadromous Allis shad (A. alosa) of the 19th century was found in River Rhine and has to be considered extinct today. To facilitate the return of A. alosa into River Rhine an EU LIFE-project was initiated in 2007. The overall objective of this thesis was to assist aquaculture and stocking-measures at River Rhine, as well as to support restoration and conservation of populations of Allis shad in Europe.
By culturing the free-swimming nematode T. aceti in a solution of cider vinegar we developed a cost-effective live food organism for the larviculture of fish. As indicated by experiments with C. maraena, T. aceti cannot be regarded as an alternative to Artemia nauplii. However it has to be considered a suitable supplemental feed in the early rearing of C. maraena by providing essential fatty acids, thereby optimizing growth.
Also mass-marking practices with Oxytetracycline, as they are applied in the restocking of Allis shad have been evaluated. In experiments with D. rerio we demonstrated that water hardness can detrimentally affect mortality during marking and has to be considered crucial in the development of marking protocols for freshwater fish.
In order to get independent from wild spawners an ex-situ Broodstock-facility for Allis shad was established in 2011. Upon examination of two complete year classes of this broodstock, we found a high prevalence of various malformations, which could be traced back to distinct cysts developing one month post hatch. Despite applying a variety of clinical tests we could not identify any infectious agents causing these malformations. The observed malformations are probably a consequence of suboptimal feeding practices or the properties of the physio-chemical rearing environment.
The decline of stocks of A. alosa in Europe has been largely explained with the increase of river temperatures as a consequence of global warming. By investigating the temperature physiology of larval Allis shad we demonstrated that A. alosa ranges among the most thermo-tolerant species in Europe and that correlations between rising temperatures and the disappearance of this species have to be understood in a synecological context and by integrating a variety of stressors other than temperature. By capturing and examining juvenile and adult Allis shad from River Rhine, we demonstrated the first natural reproduction of A. alosa in River Rhine since nearly 100 years and the success of stocking measures within the framework of the LIFE project.
Recent estimates have confirmed that inland waters emit a considerable amount of CH4 and CO2 to the atmosphere at the regional and global scale. But these estimates are based on extrapolated measured data and lack of data from inland waters in arid and semi-arid regions and carbon sources from wastewater treatment plants (WWTPs) as well insufficient resolution of the spatiotemporal variability of these emissions.
Through this study, we analyzed monthly hydrological, meteorological and water quality data from three irrigation and drinking water reservoirs in the lower Jordan River basin and estimated the atmospheric emission rates of CO2. We investigated the effect of WWTPs on surrounding aquatic systems in term of CH4 and CO2 emission by presenting seasonally resolved data for dissolved concentrations of both gases in the effluents and in the receiving streams at nine WWTPs in Germany.
We investigated spatiotemporal variability of CH4 and CO2 emission from aquatic ecosystems by using of simple low-cost tools for measuring CO2 flux and bubble release rate from freshwater systems. Our estimates showed that reservoirs in semi-arid regions are oversaturated with CO2 and acted as net sources to the atmosphere. The magnitude of observed fluxes at the three water reservoirs in Jordan is comparable to those from tropical reservoirs (3.3 g CO2 m-2 d-1). The CO2 emission rate from these reservoirs is linked to changes of water surface area, which is the result of water management practices. WWTPs have been shown to discharge a considerable amount of CH4 (30.9±40.7 kg yr-1) and CO2 (0.06±0.05 Gg yr-1) to their surrounding streams, and emission rates of CH4 and CO2 from these streams are significantly enhanced by effluents of WWTPs up to 1.2 and 8.6 times, respectively.
Our results showed that both diffusive flux and bubble release rate varied in time and space, and both of emission pathways should be included and variability should be resolved adequately in further sampling and measuring strategies. We conclude that future emission measurements and estimates from inland waters may consider water management practices, carbon sources from WWTPs as well spatial and temporal variability of emission.
The application of pesticides to agricultural areas can result in transport to adjacent non-target environments. In particular, surface water systems are likely to receive agricultural pesticide input. When pesticides enter aquatic environments, they may pose a substantial threat to the ecological integrity of surface water systems. To minimize the risk to non-target ecosystems the European Union prescribes an ecotoxicological risk assessment within the registration procedure of pesticides, which consists of an effect and an exposure assessment.
This thesis focuses on the evaluation of the exposure assessment and the implications to the complete regulatory risk assessment, and is based on four scientific publications. The main part of the thesis focuses on evaluation of the FOCUS modelling approach, which is used in regulatory risk assessment to predict pesticide surface water concentrations. This was done by comparing measured field concentrations (MFC) of agricultural insecticides (n = 466) and fungicides (n = 417) in surface water to respective predicted environmental concentrations (PEC) calculated with FOCUS step 1 to step 4 at two different levels of field relevance. MFCs were extracted from the scientific literature and were measured in field studies conducted primarily in Europe (publications 1 and 3).
In addition, an alternative fugacity-based multimedia mass-balance model, which needs fewer input parameters and less computing effort, was used to calculate PECs for the same insecticide MFC dataset and compared to the FOCUS predictions (publication 3). Furthermore, FOCUS predictions were also conducted for veterinary pharmaceuticals in runoff from an experimental plot study, to assess the FOCUS predictions for a different class of chemicals with a different relevant entry pathway (publication 2).
In publication 4, the FOCUS step-3 approach was used to determine relevant insecticide exposure patterns. These patterns were analysed for different monitoring strategies and the implications for the environmental risk assessment (publication 4).
The outcome of this thesis showed that the FOCUS modelling approach is neither protective nor appropriate in predicting insecticide and fungicide field concentrations. Up to one third of the MFCs were underpredicted by the model calculations, which means that the actual risk might be underestimated. Furthermore, the results show that a higher degree of realism even reduces the protectiveness of model results and that the model predictions are worse for highly hydrophobic and toxic pyrethroids.
In addition, the absence of any relationship between measured and predicted concentrations questions the general model performance quality (publication 1 and 3). Further analyses revealed that deficiencies in protectiveness and predictiveness of the environmental exposure assessment might even be higher than shown in this thesis, because actual short-term peak concentrations are only detectable with an event-related sampling strategy (publication 4). However, it was shown that the PECs of a much simpler modelling approach are much more appropriate for the prediction of insecticide MFC, especially for calculations with a higher field relevance (publication 3). The FOCUS approach also failed to predict concentrations of veterinary pharmaceuticals in runoff water (publication 2). In conclusion, the findings of this thesis showed that there is an urgent need for the improvement of exposure predictions conducted in the environmental risk assessment of pesticides as a group of highly relevant environmental chemicals, to ensure that the increasing use of those chemicals does not lead to further harmful effects in aquatic ecosystems.
This thesis presents novel approaches for integrating context information into probabilistic models. Data from social media is typically associated with metadata, which includes context information such as timestamps, geographical coordinates or links to user profiles. Previous studies showed the benefits of using such context information in probabilistic models, e.g.\ improved predictive performance. In practice, probabilistic models which account for context information still play a minor role in data analysis. There are multiple reasons for this. Existing probabilistic models often are complex, the implementation is difficult, implementations are not publicly available, or the parameter estimation is computationally too expensive for large datasets. Additionally, existing models are typically created for a specific type of content and context and lack the flexibility to be applied to other data.
This thesis addresses these problems by introducing a general approach for modelling multiple, arbitrary context variables in probabilistic models and by providing efficient inference schemes and implementations.
In the first half of this thesis, the importance of context and the potential of context information for probabilistic modelling is shown theoretically and in practical examples. In the second half, the example of topic models is employed for introducing a novel approach to context modelling based on document clusters and adjacency relations in the context space. They can cope with areas of sparse observations and These models allow for the first time the efficient, explicit modelling of arbitrary context variables including cyclic and spherical context (such as temporal cycles or geographical coordinates). Using the novel three-level hierarchical multi-Dirichlet process presented in this thesis, the adjacency of ontext clusters can be exploited and multiple contexts can be modelled and weighted at the same time. Efficient inference schemes are derived which yield interpretable model parameters that allow analyse the relation between observations and context.